FORUM ENERGY TECHNOLOGIES, INC. - Common (FET)

Historical Portfolio Holders from Q1 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / Common
Shares, excl. options Q1 2024
831 K
Holdings value Q1 2024
$16.6 M
Value change Q1 2024
+$16.6 M
Grand Portfolio weight change Q1 2024
+0%
Number of holders
1
Number of buys Q1 2024
1
Number of sells Q1 2024
0
Average buys Q1 2024 %
+0.01%
Average sells Q1 2024 %
0
CUSIP
34984V100
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 831 K $16.6 M +$16.6 M $19.98 1
2023 Q2 908 $23.2 K $0 $25.59 1
2023 Q1 908 $23.1 K $0 $25.43 1
2022 Q4 908 $26.8 K $0 $29.50 1
2022 Q3 908 $19 K $0 $20.93 1
2022 Q2 908 $18 K $0 $19.82 1
2022 Q1 908 $21 K -$12 M $23.13 1
2021 Q4 749 K $12 M $0 $16.28 2
2021 Q3 748 K $16.9 M $0 $22.54 1
2021 Q2 748 K $17.6 M $0 $23.48 1
2021 Q1 748 K $13.9 M -$1.8 M $18.54 1
2020 Q4 846 K $10.1 M -$210 M $11.90 1
2020 Q3 53.8 M $29.7 M +$721 K $0.55 44
2020 Q2 52.9 M $28 M -$6.12 M $0.53 57
2020 Q1 64.6 M $11.5 M -$15.6 M $0.18 69
2019 Q4 77.4 M $130 M -$10.4 M $1.68 97
2019 Q3 87.6 M $136 M -$39.1 M $1.55 105
2019 Q2 95.9 M $328 M -$15.7 M $3.42 132
2019 Q1 92.8 M $474 M -$6.21 M $5.11 129
2018 Q4 100 M $414 M -$73.5 M $4.13 119
2018 Q3 80.8 M $836 M -$11.4 M $10.35 133
2018 Q2 80.7 M $997 M -$22.8 M $12.35 144
2018 Q1 83.8 M $922 M +$9.39 M $11.00 149
2017 Q4 102 M $1.58 B -$5.48 M $15.55 142
2017 Q3 82.9 M $1.32 B -$4.93 M $15.90 130
2017 Q2 82 M $1.28 B -$12.1 M $15.60 147
2017 Q1 81.7 M $1.69 B +$188 M $20.70 155
2016 Q4 77 M $1.69 B +$137 M $22.00 179
2016 Q3 69.8 M $1.39 B +$51.5 M $19.86 159
2016 Q2 68.3 M $1.18 B -$7.62 M $17.31 139
2016 Q1 68.2 M $900 M +$49.3 M $13.20 136
2015 Q4 65.8 M $820 M +$29.8 M $12.46 151
2015 Q3 62.6 M $765 M -$12.5 M $12.21 151
2015 Q2 61.4 M $1.25 B +$24.4 M $20.28 162
2015 Q1 58.9 M $1.15 B +$40.2 M $19.60 145
2014 Q4 58.1 M $1.2 B -$118 M $20.73 166
2014 Q3 61.8 M $1.89 B -$38 M $30.61 169
2014 Q2 62.8 M $2.29 B +$385 M $36.43 162
2014 Q1 51.9 M $1.61 B +$64.1 M $30.98 122